Abridged statement of cash flows

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    Audited
30 June 2014
R’000
  Audited
30 June 2013
R’000
 
Cash flows from operating activities   218 169   (49 773)  
    Cash generated from operations   1 725 345   660 705  
    Interest received   65 645   17 234  
    Interest paid   (482 496)   (215 147)  
    Taxation paid   (7 607)   16  
    Distribution to combined unitholders   (1 079 397)   (512 969)  
    Dividends paid   (3 321)      
    Income from associate       388  
Cash flows from investing activities   (1 392 333)   (241 730)  
Cash flows from financing activities   1 179 506   198 450  
Net increase/(decrease) in cash and cash equivalents   5 342   (93 053)  
Translation effects on cash and cash equivalents of foreign entities   145      
Cash reallocated to assets held-for-sale   (2 955)      
Cash and cash equivalents at beginning of year (2013: period)   74 821   167 874  
Cash and cash equivalents at end of the year (2013: period)   77 353   74 821